Skyline view of Charlotte, North Carolina at twilight.
Real Estate

U.S. Real Estate: Appreciating Income in a Shifting Economy

CRE valuations held steady in the second quarter, though transaction activity was subdued amid economic uncertainty and periods of market volatility following “Liberation Day”.

Quarterly – 9 min read
Business district of Paris, France with car-filled roads at sunset.
Real Estate

European Real Estate: So, We Survived Til '25?

Global geopolitical uncertainty has postponed the hoped-for European real estate recovery this year. However, while macro risk is high, property market risk is low—and the pause in recovery arguably extends the opportunity to invest near the start of a new property cycle.

Quarterly – 8 min read
Public Fixed Income

High Yield: Tariffs, Tensions & Tactical Shifts

Head of Global High Yield, Scott Roth joins the Streaming Income podcast to discuss how tariffs and quickly shifting macro-economic and political dynamics are impacting corporate fundamentals and the backdrop for high yield bonds and broadly syndicated loans today.

Podcast – 32 min watch
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Public Fixed Income

CLOs: Navigating a Bifurcated Market

The CLO market remains well-supported, but caution is warranted as the path forward will likely be shaped by both macroeconomic forces and deal-specific characteristics.

Quarterly – 4 min read
Abstract composition of multicolor lines to show fast movement around a bend.
Public Fixed Income

High Yield: Keep Calm & “Carry” On

High yield bonds and loans continue to offer attractive income in a world where uncertainty remains a constant—and in today’s highly uncertain environment, a balanced approach that looks across fixed and floating-rate assets can help mitigate volatility while preserving upside potential.

Quarterly – 4 min read
Private Credit

10 Minute Masterclass—Global Infrastructure Debt

Infrastructure debt continues to grow in its appeal to investors, partly due to the range of potential benefits on offer—from an illiquidity premium over public markets to enhanced diversification, risk protection and asset-liability matching characteristics. The essential nature of infrastructure debt further strengthens its appeal throughout the ups and downs of the economic cycle.

Video – 10 min watch